Skip to main content
Skip table of contents

Bank-specific supplements

Besides the basic settings, you select individual settings for each bank governing the bank-specific behaviour of the Portfolio Sync Interface.

For more information about the bank-specific settings, see the relevant supplementary documentation "PSI transaction data <Bank name>". By default, you can find it as a PDF file for download in the Help Center under Interface-specific documentation.

JavaScript errors detected

Please note, these errors can depend on your browser setup.

If this problem persists, please contact our support.